
Tariffs, Tech, and Turbulence: Markets Wait For Nvidia Earnings
RiskReversal Pod
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Market Volatility and Investment Dynamics
This chapter explores recent market volatility driven by macroeconomic factors, including Federal Reserve policies and geopolitical tensions. The discussion highlights the performance challenges faced by the Russell index, Chinese stocks like Alibaba, and European markets amid fluctuating investor confidence. It also examines key economic indicators such as CPI, PPI, and upcoming PCE reports, linking them to market trends and the housing sector's performance.
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